FRANKLIN FINANCIAL SERVICES CORPFRAF

時価総額
$1.3億
PER
2011年
12月31日
2012年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
Net income751082616132015
Depreciation and amortization-----11111
Net amortization of loans and investment securities1222221414
Amortization of subordinate debt issuance costs-------000
Provision for loan losses851411005-21
Change in fair value of equity securities-----00-00-0
Realized losses (gains) on sales of debt securities-----0000-0
Loans originated for sale-139910223110510851
Proceeds from sale of loans-13991022299911755
Gain on sale of loans held for sale-------221
Net gain on sale or disposal of premise and equipment-0-------2-
Increase in fair value of derivative---------0-0
Increase in cash surrender value of life insurance1111111000
Gains from surrender of life insurance policies--00--010-
Share-based Compensation--0000-000
(Increase) decrease in other assets-01-2-1-01-14-21
Increase in other liabilities---2-11-01-111
Deferred tax expense-00-0-1-1-02-101
Net cash provided by operating activities1511--1691962625
Proceeds from (Payments for) in Interest-bearing Deposits in Banks-------9-42-3
Proceeds from sales and calls of investment securities available for sale2235302522191933720
Proceeds from maturities and pay-downs of securities available for sale------31393541
Purchase of investment securities available for sale--------21687
Net increase in restricted stock--01-1-00000
Net (increase) decrease in loans--4581155039-3877-1349
Proceeds from loans held for sale previously classified as portfolio loans--------1-4
Proceeds from Life Insurance Policies---0--041-
Proceeds from sale of bank owned assets----001-3-
Capital expenditures----1120912
Net cash used in investing activities-34-5---32-47-23-277-134-95
Net Increase In Demand Deposits, Interest Bearing Checking, And Savings Accounts------28242232-16
Net decrease in time deposits-14-10-13-111-14--13-2-17
Dividends paid4334455566
Purchase of Treasury shares---1-04113
Cash received from option exercises0000000000
Proceeds To Stock Plans--------21
Net cash (used in) provided by financing activities3138--383335244226-40
(Decrease) increase in cash and cash equivalents------31-27118-110
Interest Paid, Net----247435
Income Taxes Paid2-32400430
Recognition of Operating Lease Right-of-Use Asset------01-2
Transfer to Other Real Estate--40000--5